Market Risk Analyst (Commodities)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
TL;DR
Market Risk Analyst (Commodities): Manag market risk for the commodity derivatives trad desk with an accent on daily monitor, report, and analysis of trad books. Focus on collaborat with front office teams, ensur data quality, and support regulatory compliance and system migrations.
Location: Must be based in New York, NY (Hybrid work model)
Salary: $79,000–$100,000
Company
A global financial institution provid innovative wholesale bank products and services to corporate and institutional clients.
What you will do
- Manage all market risk aspects of the commodity trad desk.
- Measure, monitor, analyze, and report market risk for trad books on a daily basis.
- Provide proactive risk analysis and advice to the front office.
- Collaborate with regulatory risk teams to ensure prompt and accurate report.
- Coordinate with global market data and support teams to resolve data issues and set up new sources.
- Participate in regulatory projects, audits, and system upgrades.
Requirements
- Bachelor’s or Master’s degree in Business, Finance, Statistics, or Economics.
- 0-1+ years of relevant work experience.
- Strong knowledge of financial markets and commodity market risk.
- Proficiency in Microsoft Office, particularly Excel VBA.
- Strong analytical, communication, and problem-solv skills.
- Ability to perform under pressure and manage multiple tasks.
Nice to have
- Experience with Python.
- Experience with SQL.
Culture & Benefits
- Comprehensive health benefits and competitive PTO.
- Generous 401k savs plan.
- Support for adoption, surrogacy, and fertility services.
- Student debt assistance.
- Subsidies for commut and fitness expenses.
- Inclusive and supportive team culture.
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